TABLE G.-Statement showing the ordinary receipts and disbursements of the Government by months, etc.—Continued. Ordinary Total for 12 months 675, 511, 715 659, 705, 391 29,081, 435 256, 894, 676 4,575, 917 718,678 1,598, 347 43, 339, 905 118,563, 215 July TABLE G.-Statement showing the ordinary receipts and disbursements of the Government by months, etc.—Continued. May. June. Month. March. May.. June.. Ordinary $73, 224, 173 697,910, 828 54, 194, 131 55, 432, 814 Ordinary sive of postal, $70, 704, 496 54, 824,240 88, 154, 549 Surplus Net gold Balance in Imports of $2,519, 677 Exports of gold. 257, 006, 051 27,321, 943 90, 249, 548 • Exclusive of disbursing officers' credits and outstanding warrants and checks. NOTE. The receipts and disbursements, by months, were made up from the partial reports prior to July 1, 1908; and being subject to change by subsequent concentration of accounts, did not agree with the totals by years. The latter are the actual results, as shown by complete returns. TABLE H.-Statement of the balance in the general fund of the Treasury, including the gold reserve, by calendar years from 1791 to 1842, and by fiscal years from 1843 to 1917.1 1855-June 30.. 1869-June 30.. 1823-December 31. 1824-December 31. 1825-December 31. 1826-December 31. 1827-December 31. 1828 December 31. 1829-December 31.. 1830-December 31. 1831-December 31. 4, 193,690.68 9,431, 353. 20 1,887,799.80 5,296,306.74 6,342, 289. 48 6,649,604.31 5,965, 974. 27 24,362, 770.76 4,761,409.34 3,053, 513. 24 1893-June 30. 1832-December 31. 1894-June 30. 1898-June 30. 1899-June 30. 1900-June 30. 1837-December 31. 1901-June 30. 36,804, 953. 64 1907-June 30. 113, 485, 981.01 91,739, 739.00 74,437,358.54 59,762, 346.64 72, 159, 597.17 63,274, 721.71 58,947,608.99 91,694, 006.29 177, 498, 846.71 367,054, 575. 14 168, 299, 404. 40 182,678,977.44 162,323, 331.14 161,382,637.70 165,046, 380.59 182, 622, 360. 17 232,099, 178.05 207, 600, 698.44 244,094, 169.01 210,737,083.76 190, 841, 184. 72 156,847, 826.49 129, 178, 792. 53 124, 824, 804. 94 118,885, 988. 16 196,348, 193. 17 269,637, 307.07 244, 466, 201.95 209, 282, 643. 13 284, 488, 516.20 306,827,605.37 328, 406, 798.13 362, 187, 361.16 388,686, 114.23 322, 051, 568. 02 295, 477, 491.89 330, 689, 354.82 422,061, 445.47 395, 171, 347.73. 276, 375, 428.10 256,894,675.67 290,176, 926. 13 317, 152, 478.99 315,960, 984.79 311,612, 615. 53 257, 147, 142.41 331, 470, 441. 21 1,120,226,149.00 This statement is made from warrants paid by the Treasurer of the United States to Dec. 31, 1821, and by warrants issued after that date, and is exclusive of disbursing officers' credits and outstanding warrants and checks. The unavailable funds are not included from and after this date. The amount deposited with the States under act of June 23, 1836, having been taken out of the control of the Treasury Department by the act of Oct. 2, 1837, is not included rom and after this date. |